Fund Operations Analyst at FIRST PLUS ASSET MANAGEMENT PTE LTD
Singapore, , Singapore -
Full Time


Start Date

Immediate

Expiry Date

10 Nov, 25

Salary

4500.0

Posted On

11 Aug, 25

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Fixed Income, Microsoft Office, Equities, Accountability

Industry

Financial Services

Description

JOB DESCRIPTION:

  • Complete day-to-day operations of the fund, including but not limited to:
  • Investor subscriptions and redemptions
  • Onboarding of trading accounts/cash accounts
  • Creation of payment instructions for bill payments
  • Monitor cash balance and daily transactions of the fund- Keep track of interest/principal payments received
  • Ensure Operation documents (Trading manual, Account list, Register of Members etc) are updated and kept up to date
  • Responsible for the execution of trades and the entire settlement process for different asset classes, e.g., Equities, Fixed income, Asset-backed Securities, Derivatives, etc.
  • Review NAV reports and Shareholder register reports issued by the fund administrators
  • Support the funds’ audit and MAS annual declaration.
  • Liaise with lawyer to get documents Certified True Copy
  • Responsible for KYC review requests/procedures from counterparties
  • Maintain good relationships and work closely with partners such as brokers, custodian, fund administrator and company secretary.
  • Support other teams (Finance, Compliance etc) in company-related operations whenever necessary.

ATTRIBUTES AND SKILLS:

  • Knowledge of Fund NAV review is a plus
  • Meticulous and detail-oriented
  • Self-motivated and proactive
  • Able to work independently and takes accountability
  • Proficient in Microsoft Office
  • Good working knowledge of financial products (equities, fixed income, etc.)

How To Apply:

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Responsibilities

Please refer the Job description for details

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